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| Location | Thailand, Phichit |
| Job Type | Permanent Full-time |
| Salary | Negotiable, based on experience |
Key Responsibilities
Treasury, Liquidity & Risk Management
Oversee cash flow management, liquidity planning, and forecasting activities.
Maintain relationships with banking partners and manage financing arrangements, including credit facilities.
Monitor and manage financial risks such as foreign exchange exposure, interest rates, and counterparty risk.
Optimize working capital and support efficient intercompany funding structures.
Ensure compliance with internal treasury policies and governance standards.
Controlling & Financial Performance
Support month-end and year-end closing processes, ensuring accuracy and timeliness.
Analyze financial results and monitor profitability across entities or business units.
Provide insights and financial analysis to support business decision-making.
Transfer Pricing & Governance
Support the development, implementation, and monitoring of transfer pricing policies in line with regulatory requirements.
Ensure intercompany transactions are properly structured, documented, and aligned with group policies.
Coordinate with internal and external stakeholders on transfer pricing matters, including documentation and compliance.
Ensure alignment between transfer pricing frameworks, funding structures, and actual business operations.
Strengthen internal controls and ensure adherence to corporate governance and compliance requirements.
Business Partnering
Collaborate with cross-functional teams to support strategic initiatives and operational improvements.
Provide financial guidance and challenge assumptions to drive business performance.
Systems & Process Improvement
Drive continuous improvement in financial processes, reporting quality, and automation.
Ensure accuracy and consistency of data across ERP and reporting systems.
Oversee master data governance to maintain data integrity.
Qualification
Bachelor’s degree in Finance, Accounting, Economics, or a related field.
At least 10 years+ of relevant experience covering treasury, financial controlling/FP&A, and transfer pricing or international tax.
Proven experience in multinational or multi-entity environments is preferred.
Strong knowledge of accounting standards (e.g., IFRS or local GAAP) and transfer pricing principles.
Solid analytical skills with experience in financial modelling and performance analysis.
Hands-on experience with SAP or similar ERP systems in financial and operational processes.
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| Minimum Experience Level | Over 10 years |
| Career Level | Mid Career |
| Minimum English Level | Business Level |
| Minimum Japanese Level | None |
| Minimum Education Level | Associate Degree/Diploma |
| Visa Status | No permission to work in Japan required |
| Job Type | Permanent Full-time |
| Salary | Negotiable, based on experience |
| Industry | Other (Trade) |